Naukrijobs UK
Register
London Jobs
Manchester Jobs
Liverpool Jobs
Nottingham Jobs
Birmingham Jobs
Cambridge Jobs
Glasgow Jobs
Bristol Jobs
Wales Jobs
Oil & Gas Jobs
Banking Jobs
Construction Jobs
Top Management Jobs
IT - Software Jobs
Medical Healthcare Jobs
Purchase / Logistics Jobs
Sales
Ajax Jobs
Designing Jobs
ASP .NET Jobs
Java Jobs
MySQL Jobs
Sap hr Jobs
Software Testing Jobs
Html Jobs
IT Jobs
Logistics Jobs
Customer Service Jobs
Airport Jobs
Banking Jobs
Driver Jobs
Part Time Jobs
Civil Engineering Jobs
Accountant Jobs
Safety Officer Jobs
Nursing Jobs
Civil Engineering Jobs
Hospitality Jobs
Part Time Jobs
Security Jobs
Finance Jobs
Marketing Jobs
Shipping Jobs
Real Estate Jobs
Telecom Jobs

Treasury / FX Execution Manager

Job LocationLondon
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

Our client is a leading, world renowned Global Commodity trading company.We are looking for a highly motivated, numerate individual with strong communication skills to join our clients Treasury team within the Energy sector. The successful candidate will be responsible for implementing efficient FX hedging strategies to supportthe various functions of the business, trade execution, as well as identifying and managing/hedging non-trading FX exposures. You will have the capacity to thrive in a front office role, which will involve direct relationship management with banks and, fromtime to time, representation of the company facing commercial counterparties where Treasury expertise is required.Our client is continuously striving for improvement in its processes and risk management, and as such, we are looking for a candidate that has the confidence to innovate, communicate ideas and work with colleagues from all aspects of the business throughvarious ongoing and upcoming exciting projects, such as developing a robust FX/Commodities risk, execution, and reporting framework, from deal inception through to settlement and accounting.DUTIES AND RESPONSIBILITIES:

  • FX execution including spot & forward, currency swaps, NDFs, basis risk.
  • Managing FX Bank limits, ensuring appropriate facilities are in place to support the business requirement.
  • Communication and development of intercompany processes with Group Treasury
  • Ongoing enhancement of FX exposure reporting, risk management
  • Treasury representation in FX related projects
  • Assisting the team where needed in the day-to-day operation of the Treasury function
SKILLS AND EXPERIENCE REQUIRED:
  • Graduate with a quantitative degree at 2.1 or above (or similar).
  • Strong fundamental knowledge of FX and interest rate pricing mechanisms
  • Previous work based experience working on a treasury or execution desk at a top tier commercial/investment bank or equivalent corporate entity.
  • Strong work ethic
  • Rational, logical, and analytical approach to tasks
  • Excellent communication skills
  • Ability to work under pressure as part of a team.
  • Highly innovative and progressive attitude towards challenges
  • Experience in managing FX exposures and cash balances generated through exchange traded positions would be advantageous.

APPLY NOW

Treasury / FX Execution Manager Related Jobs

© 2019 Naukrijobs All Rights Reserved